8B SIUSLAW NEWS ❚ WEDNESDAY, JUNE 6, 2018
850 ܂ VEH. & BOAT
PROMO
1994 CHEVY
CAVALIER
850 ܂ VEH. & BOAT
PROMO
2012 SMOKER CRAFT 16’ 6”
40hp Honda - very
low hours, fully
equipped, live well,
galv. trlr, swing
tongue, sealed hubs.
$14,500
503-382-7485
4 door,
107,555 miles.
$1,900 obo
541-999-1968
D
L
O
2000 BUICK CENTURY
4 dr. sedan, 67.5K mi.,
one owner, all records,
very good cond., leather,
CD, PS, PW, PDL, key-
less ent., V6, plenty of
pep. Always garaged.
$4,000 obo
541-997-6225
S
1989 FLEETWOOD
WILDERNESS
26 1/2’, new tires, hot
water heater, furnished.
Sold as is. Serious
inquires only. $800 obo
541-228-0973
2017 JAYCO WHITE HAWK 26’
KUBOTA TRACTOR
MODEL BX2380
4WD, 36 hrs., LA344
front loader, 5 year
warranty. $11,900
541-999-8268
Queen bed, couch, deep
slide out, power jack &
awning, nice indoor &
outdoor kitchen, TV &
music. Perfect tail-gater.
$34,000 obo
541-902-8593
1997 CADILLAC
ELDORADO
Bright red,
excellent cond.
98K mi.
$4,995
Bill: 541-902-9111
1981 MERCEDES BENZ
240-D
Diesel sedan. Been in
the family since orig. pur-
chase. All Maint., & owner-
ship documentation avail.
$6,500 obo
541-590-3557
Cell: 907-518-4012
JAZZY POWER CHAIR
$350
541-902-9195
2003 MONACO
WINDSOR
40ft., 2 slides,
Cummins
engine, 37K mi.
$69,900
916-761-4151
999 ܂ PUBLIC
NOTICES
999 ܂ PUBLIC
NOTICES
PUBLIC NOTICE
On Friday, June 8, 2018, an auction is scheduled for 12
p.m. at Florence Mini Storage, 4099 Hwy. 101 N. Florence, OR
97439. The contents of the storage units will be sold at pub-
lic auction.
M. Bouchet, Unit #F-156 (10x10) & D. Raybould, Unit #B-
20 (10x10) and Unit #D-119 (5x10u).
Publication Dates: May 23 & June 6, 2018
PUBLIC NOTICE
NOTICE OF PUBLIC HEARING
Notice is hereby given that the Dunes City Planning
Commission will hold a public hearing on Thursday, June
28, 2018, at 6:00 pm in Dunes City’s City Hall, 82877 Spruce
Street, Westlake, Oregon. The Planning Commission will hear
public input on Ordinance No. 247, a proposed amendment
to the Dunes City Code of Ordinances relating to land use
in the residential (R-1) and community commercial (CC) dis-
tricts, in order to provide a recommendation for Dunes City’s
City Council to consider at a public hearing, to be held on
Wednesday, July 11.
The hearing will be conducted in accordance with the
Type IV process described at Section 155.4.1.7 of the City’s
Development Code, also available for review at City Hall or
on the City’s website at dunescity.com/City Hall/Ordinances
and Resolutions and clicking on the link to Ordinance No.
182.
Ordinance No. 247 amends Title XV, Chapter 155 of
the Dunes City Code of Ordinances to add new Sections
155.2.1.270 and 155.2.2.220 regarding recreational mari-
juana producing and processing in Dunes City.
Ordinance No. 247 is available for inspection Monday
through Thursday, 10:00 am to 4:00 pm at City Hall and on
the Dunes City website. A copy of Ordinance No. 247 is also
available for purchase at a cost of $0.25 per sheet. A copy of
the staff report will be available for inspection at no cost at
least seven (7) days prior to the hearing and will be available
for purchase at a cost of $0.25 per sheet upon request.
Written testimony will be accepted by the City until 3:00
pm the day of the June 28 public hearing. Written testimo-
ny and evidence must be directed toward the subject de-
scribed above or other criteria in the City’s Comprehensive
Plan or Land Use Regulations which is believed to apply, and
may be submitted to the Dunes City Planning Secretary, P.O.
Box 97, Westlake, Oregon 97493, or by e-mail to planning@
dunescityor.com, prior to the public hearing. For additional
information, please contact Jamie Mills, City Administrator/
Recorder, at 541-997-3338 or recorder@dunescityor.com.
Publication Dates: June 6 & 9, 2018
NOTICE OF BOARD MEETING
A regular meeting of the Board of Directors of the Cen-
tral Lincoln PUD will be held on June 13, 2018 at 10:00 a.m.
at the Newport Offi ce located at 2129 N. Coast Hwy. The
Board will hold an executive session in accordance with ORS
192.660(2)(i) “To review and evaluate the job performance
of the chief executive offi cer.” The Board will review various
governance policies; FY18 organizational accomplishments,
results of a customer satisfaction survey and Joint Use Ap-
plication and Sanction Fees; and consider approval to award
a three year tree trimming contract. The board may discuss
other business as it arises at the meeting. To review the
meeting agenda, please go to clpud.org.
Publication Date: June 6, 2018
PUBLIC HEARING NOTICE
The Florence Planning Commission will hold a public
hearing at 5:30 PM on June 12, 2018, in the Florence Events
Center, 715 Quince Street, concerning the following pro-
posal :
RESOLUTION PC 18 12 PUD 01 – Cannery Station,
Preliminary PUD: An application for a Preliminary Planned
Unit Development from Cannery Station Development, LLC
for an 8-phase, mixed-use development with 31 proposed
lots to be developed over a 10 year period. The 17-acre par-
cel is located east of Highway 101 across from Fred Meyer,
west of Florentine Estates, north of the Community Baptist
Church, and south of Munsel Lake Road. Property is located
at Map No. 18-12-14-20, Tax Lot 00700, in the North Com-
mercial District, regulated by FCC Title 10, Chapter 30.
For more information contact the City of Florence Plan-
ning Department at (541) 997-8237 or visit city’s website at
www.ci.fl orence.or.us.
Publication Date: June 6, 2018
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PUBLIC NOTICES
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Now in your inbox, too.
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999 ܂ PUBLIC
NOTICES
999 ܂ PUBLIC
NOTICES
NOTICE OF BUDGET HEARING
A public meeting of the Dunes City Council will be
held on June 13, 2018, at 6:00 P.M. at 82877 Spruce Street,
Westlake, Oregon. The purpose of this meeting is to discuss
the budget for the fiscal year beginning July 1, 2018, as
approved by the Dunes City Budget Committee. A summary
of the budget is presented below. A copy of the budget may
be inspected or obtained at 82877 Spruce Street, Westlake,
Oregon 97493, between the hours of 10:00 A.M. and 4:00
P.M., Monday - Thursday. This budget is for an annual budget
period. This budget was prepared on a basis of accounting
that is consistent with the preceding year. If different, the
major changes and their effect on the budget are: None.
Contact: Jamie Mills
541-997-3338
Email: recorder@dunescityor.com
FINANCIAL SUMMARY - RESOURCES
Actual
Amount
Adopted
Budget
This Year
2016/2017 2017/2018
Approved
Budget
Next Year
2018/2019
TOTAL OF ALL FUNDS
Beg. Fund Balance/Net Working Capital
305,434
355,113
158,811
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
354,488
252,175
359,061
Federal, State and All Other Grants, Gifts, Allocations and Donations
107,600
80,000
439,000
All Other Resources Except Property Taxes
3,660
101,225
4,820
Total Resources
771,182
788,513
961,692
FINANCIAL SUMMARY – REQUIREMENTS BY OBJECT CLASS.
Personnel Services
106,062
114,442
124,844
Materials and Services
257,898
443,350
410,155
Capital Outlay
347
22,000
234,000
Interfund Transfers
0
0
0
Contingencies
0
10,000
10,000
Unappropriated Ending Balance & Reserved for Future Expenditure
176,080
198,721
182,693
Total Requirements
540,387
788,513
961,692
FINANCIAL SUMMARY – REQUIREMENTS
BY ORGANIZATIONAL UNIT OR PROGRAM
Name of Organizational Unit or Program
FTE for that unit or program
General Fund
45,421
56,706
51,950
FTE
1.1
1.1
1.5
Building Codes Fund
13,024
13,365
20,067
FTE
0.2
0.2
1.0
State Street Fund
16,014
13,835
18,230
FTE
0.1
0.4
0.5
Motel Tax / Tourism Fund
13,921
13,860
15,381
FTE
0.3
0.3
0.7
Water Rights Compliance Fund
16,986
16,676
20,847
FTE
0.3
0.3
0.5
Emergency Communications (911) Fund
0
0
0
FTE
0
0
0
Total Requirements
105,366
114,442
126,475
Total FTE
2.0
2.3
4.2
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF
FINANCING*
PROPERTY TAX LEVIES
Rate or Amount
Imposed Imposed Approved
Permanent Rate Levy (Rate Limit _____ per $1,000)
0
Levy For General Obligation Bonds
0
0
0
0
0
STATEMENT OF INDEBTEDNESS
Debt Outstanding: As Summarized Below
Long Term Debt
Estimated Debt
Outstanding on
July 1.
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Estimated Debt
Authorized,
But Not Incurred
on July 1
0
0
0
0
0
0
0
0
Publication date: June 6 & 9, 2018
NOTICE OF BUDGET HEARING
A public meeting of the Heceta Water People’s Utility
District will be held on June 19, 2018, at 4 P.M. at The Heceta
Water People’s Utility District Office, Florence, Oregon. The
purpose of this meeting is to discuss the budget for the fiscal
year beginning July 1, 2018, as approved by the Heceta Water
People’s Utility District Budget Committee. A summary of
the budget is presented below. A copy of the budget may be
inspected or obtained at 87845 Hwy. 101, Florence, Oregon,
between the hours of 8 A.M. and 4 P.M. This budget is for an
annual budget period. This budget was prepared on a basis of
accounting that is the same as the preceding year.
Contact: Wendy Rohner
541-997-2446
FINANCIAL SUMMARY - RESOURCES
fl orist.1800fl owers.com.
Over 125 million Americans
have signed up to be organ
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people waiting for lifesaving
transplants. To learn more or to
register, go to www.orgando-
nor.gov.
The small-package driv-
ers at UPS are among the
safest on the roads. The
company
cti recently inducted
1,582 drivers into its elite
“Circle of Honor,” driv-
ers who have not had an
avoidable accident for 25
years or more. Learn more
at https://sustainability.ups.
com/committed-to-more/
employee-safety/.
When it comes to the
quality associated with
goods and services pro-
duced in the United States,
the thousands of people
who work in National In-
dustries for the Blind’s na-
tionwide network of associ-
ated nonprofi t agencies are
ready to deliver. Learn more
at NIB.org.
Having the right out-
door power equipment, like
lawn mowers, chain saws,
generators, edgers, trim-
mers and more, ensures you
have the tools to get “back-
yard ready.” Go to www.
opei.org for safety tips and
more information on out-
door power equipment.
You can get reusable
car-cleaning pads that work
with just car wash soap and
water. Bugs Off Pads are safe
for paint, clear coat, plastic,
glass, wraps, graphics and
metals and available at car
dealerships and, along with
Better Than A Brush Wheel
Scrubbers, at www.bugs off-
pads.com.
Actual
Amount
Adopted
Budget
This Year
2016/2017 2017/2018
Approved
Budget
Next Year
2018/2019
TOTAL OF ALL FUNDS
Beg. Fund Bal./Net Working Cap.
2,210,830 2,235,996
2,476,965
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
1,176,433 1,148,660
1,149,760
Federal, State and All Other Grants, Gifts, Allocations and Donations
0
0
0
Revenue from Bonds and Other Debt 1,005,295
0
0
Interfund Transfers / Internal Service Reimbursements
1,580,607
257,563
729,311
All Other Resources Except Current Year Property Taxes
66,302
8,750
13,220
Current Year Property Taxes Estimated to be Received
0
0
0
Total Resources
6,039,467 3,650,969
4,369,256
FINANCIAL SUMMARY – REQUIREMENTS BY OBJECT CLASS.
Personnel Services
420,200
537,942
564,167
Materials and Services
274,274
718,346
772,600
Capital Outlay
1,293,609
403,500
1,005,500
Debt Service
173,563
198,313
188,511
Interfund Transfers
1,580,607
257,563
729,311
Contingencies
0 1,280,205
841,767
Special Payments
0
0
0
Unappropriated Ending Balance and Reserved for Future Expenditure
2,297,214
255,100
267,400
Total Requirements
6,039,467 3,650,969
4,369,256
FINANCIAL SUMMARY – REQUIREMENTS AND FULL-TIME
EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR
PROGRAM*
Name of Organizational Unit or Program
FTE for that unit or program
Water District
1,988,083 1,659,788
2,342,267
FTE
6
7
7
Not Allocated to Organizational Unit or Program
4,051,384 1,991,181
2,026,989
Total Requirements
6,039,467 3,650,969
4,369,256
Total FTE
6
7
7
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF
FINANCING*
PROPERTY TAX LEVIES
Rate or Amount
Imposed Imposed Approved
Permanent Rate Levy
(rate limit ______ per $1,000)
Levy For general Obligation Bonds
0
0
0
STATEMENT OF INDEBTEDNESS
Debt Outstanding: As Summarized Below
Long Term Debt
Estimated Debt
Outstanding on
July 1.
General Obligation Bonds
Other Borrowings
Total
0
1,865,750
1,865,750
Estimated Debt
Authorized,
But Not Incurred
on July 1
0
0
Publication Date: June 6, 2018
www.thesiuslawnews.com
999 ܂ PUBLIC
NOTICES
999 ܂ PUBLIC
NOTICES
PUBLIC HEARING NOTICE
The Florence Planning Commission will hold a public hear-
ing at 5:30 PM on June 12, 2018, in the Florence Events Cen-
ter, 715 Quince Street, concerning the following proposals:
RESOLUTION PC 18 16 CPA 01 - Housing Comp Plan
Amendments: Proposed changes to the Florence Realiza-
tion 2020 Comprehensive Plan, Chapter 9: Economic Devel-
opment and Chapter 10: Housing Opportunities to address
housing and economic development within Florence, ad-
dress current trends in housing, and the need to strengthen
the local economy. These proposed changes are recommen-
dations from work performed on updating Florence’ Build-
able Lands Inventory, Housing Needs Analysis and Economic
Opportunities Analysis in 2017.
RESOLUTION PC 18 17 CPA 02 – Beat the Wave Comp
Plan Amendments: Proposed changes to the Florence Re-
alization 2020 Comprehensive Plan, Introduction and Chap-
ters 7 (Development Hazards and Constraints), 11 (Utilities,
Facilities, and Services), 12 (Transportation), and 14 (Urban-
ization) to address Tsunami threats and development pat-
terns within areas subject to these natural hazards. These
proposed changes are implementations of model policies
from the Department of Land Conservation and Develop-
ment.
For more information contact the City of Florence Plan-
ning Department at (541) 997-8237 or visit city’s website at
www.ci.fl orence.or.us.
Publication Dates: May 30 & June 6, 2018
NOTICE OF BUDGET HEARING
A public meeting of the Mapleton School District 32 will
be held on June 13, 2018, at 6:00 P.M. at 10868 E. Mapleton
Rd., Mapleton, Oregon. The purpose of this meeting is to
discuss the budget for the fiscal year beginning July 1, 2018,
as approved by the Mapleton School District 32 Budget
Committee. A summary of the budget is presented below. A
copy of the budget may be inspected or obtained at 10868 E.
Mapleton Rd., Mapleton, Oregon, between the hours of 8:00
a.m. and 4:00 p.m. This budget is for an annual budget period.
This budget was prepared on a basis of accounting that is the
same as the preceding year.
Contact: Maria McEldowney
541-268-4312
Email: busmgr@mapleton.k12.or.us
FINANCIAL SUMMARY - RESOURCES
Actual
Adopted
Amount
Budget
Last Year This Year
2016/2017 2017/2018
TOTAL OF ALL FUNDS
Beg. Fund Balance
959,901 4,941,980
Current Year Property Taxes, other than Local Option Taxes
758,775
785,825
Current Year Local Option Property Taxes
0
0
Other Revenue from Local Sources
160,269
105,735
Revenue from Intermediate Sources
2674.52
3,185
Revenue from State Sources
2,966,752 7,142,681
Revenue from Federal Sources
357,531
324,735
Interfund Transfers
81,812
45,000
All Other Budget Resources
4,116,284
0
Wednesday’s
d
Graphic
D-Day: Anniv.
1944
Here is how it works…
We will put a graphic or photo in the box to the
left. You find it somewhere in the classifieds.
Come into our office, Enter your name, phone
number and describe where you found the graphic
or bring in a clipping to attach to your entry into
the drawing for a gift certificate.
1,751,100
811,205
0
78,425
33,908
2,158,107
297,569
50,000
0
Total Resources
9,403,997 13,349,141
5,180,314
FINANCIAL SUMMARY – REQUIREMENTS BY OBJECT CLASS.
Salaries
1,368,902 1,492,059
1,603,815
Other Associated Payroll Costs
581,010
764,385
752,768
Purchased Services
1,114,169
808,655
442,238
Supplies and Materials
197,535
208,750
211,249
Capital Outlay
347,923 7,750,000
708,000
Other Objects (except debt service & interfund transfers)
102,811
80,180
95,230
Debt Service*
160,824
168,325
172,125
Interfund Transfers*
81,812
45,000
50,000
Operating Contingency
0
25,000
25,000
Unappropriated Ending Fund Balance & Reserves
5,449,011 2,006,787
1,119,889
Total Requirements
9,403,997 13,349,141
5,180,314
FINANCIAL SUMMARY – REQUIREMENTS AND FULL-TIME EQUIV-
ALENT EMPLOYEES (FTE) BY FUNCTION
Name of Organizational Unit or Program
FTE for that unit or program
1000 Instruction
1,307,660 1,534,585
1,565,974
FTE
17.56
17.10
17.78
2000 Support Services
1,203,242 1,326,593
1,341,081
FTE
10.17
10.81
10.47
3000 Enterprise & Commu. Service
112,657
112,731
123,125
FTE
1.05
1.05
1.15
4000 Facility Acquisition & Construction
1,088,791 8,130,120
783,120
5000 Other Uses
0
0
0
5100 Debt Service*
160,824
168,325
172,125
5200 Interfund Transfers*
81,812
45,000
50,000
6000 Contingency
0
25,000
25,000
7000 Unappropriated Ending Fund Balance
5,449,011 2,006,787
1,119,889
Total Requirements
9,403,997 13,349,141
5,180,314
Total FTE
28.78
28.96
29.40
* not included in total 5000 Other Uses. To be appropriated separately from other
5000 expenditures.
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF
FINANCING*
Mapleton School District’s budget includes four funds: the General Fund, the Special
Revenue Fund, the Debt Service Fund, and the Capital Projects Fund. The General
Fund is the main operating fund of the District and the only unrestricted fund;
resources are allocated to teaching and student resources. The remaining funds are
restricted funds and have specific restrictions; they may only be spent as specified
by either state or federal law, or by the source of the funds, such as grant funds or
bond revenues. The majority of the Mapleton Elementary School and Mapleton
High School renovation project was completed in 2017-18 as reflected in reduction
of capital outlay expenditures and revenue from state sources (bond matching grant
and seismic rehabilitation grant). All student programs will be maintained in 2018-19.
Mapleton School District follows the State Board of Education textbook adoption
schedule and will implement new Health and Physical Education texbooks in Fall
2018.
PROPERTY TAX LEVIES
Rate or Amount
Imposed Imposed Approved
Permanent Rate Levy (Rate Limit ____ per $1,000)
4.892
Levy For General Obligation Bonds
174,813
4.892
180,343
4.892
179,079
STATEMENT OF INDEBTEDNESS
Debt Outstanding: As Summarized Below
Estimated Debt
Estimated Debt
Long Term Debt
Outstanding on
Authorized,
July 1
But Not Incurred
on July 1
General Obligation Bonds
3,870,000
0
Other Bonds
0
0
Other Borrowings
83,860
0
Total
3,953,860
0
Publication date: June 6, 2018
Vehicle & Boat
Promotional advertising
section 850 will continue
to run your ad until sold
providing you call the
Siuslaw News
541-997-3441
Before the end of the
month.
(No Commercial Vehicles)
n d
Graphic Search
G
Approved
Budget
Next Year
2018/2019
Good Luck
KURT MEDLOCK found the National Garden Week
Graphic on page 5B (Within the Flowers at the bot-
tom of 2nd column) He has won a gift certificate to
BeauxArts Fine Art Materials.
Gift Certificates must be picked up within 2 weeks of winning
Deadline for today’s paper: Monday by 2:00 PM
Saturday’s
Graphic